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Theory and Econometrics of Financial Asset Pricing - Hardcover

 
9783110673852: Theory and Econometrics of Financial Asset Pricing
  • PublisherDe Gruyter
  • Publication date2022
  • ISBN 10 3110673851
  • ISBN 13 9783110673852
  • BindingHardcover
  • LanguageEnglish
  • Edition number1
  • Number of pages402

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Lim, Kian-Guan
Published by Berlin, De Gruyter., 2022
ISBN 10: 3110673851 ISBN 13: 9783110673852
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25 cm, XIII, 388 Seiten/pages. Mit Illustrationen/with illustrations. Illustrierter Pappeinband/hardback. Markuliertes Bibliotheksexemplar mit entsprechender Einstempelung auf dem Impressumsblatt. Sonst tadelloses Exemplar. Ex-libary with a little stamp on titlepage, otherwise in a very good condition. (= Business & economics). Sprache: englisch. Seller Inventory # 19510AB

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Lim, Kian Guan
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ISBN 10: 3110673851 ISBN 13: 9783110673852
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Lim, Kian Guan
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ISBN 10: 3110673851 ISBN 13: 9783110673852
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Hardback or Cased Book. Condition: New. Theory and Econometrics of Financial Asset Pricing 1.85. Book. Seller Inventory # BBS-9783110673852

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Lim, Kian Guan
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ISBN 10: 3110673851 ISBN 13: 9783110673852
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Lim, Kian Guan
Published by De Gruyter, 2022
ISBN 10: 3110673851 ISBN 13: 9783110673852
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Kian Guan Lim
Published by De Gruyter, Berlin, 2022
ISBN 10: 3110673851 ISBN 13: 9783110673852
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Hardcover. Condition: new. Hardcover. This book will provide a firm foundation in the understanding of financial economics applied to asset pricing. It carries the real world perspective of how the market works, including behavioral biases, and also wraps that understanding in the context of a rigorous economics framework of investors risk preferences, underlying price dynamics, rational choice in the large, and market equilibrium other than inexplicable irrational bubbles. It concentrates on analyses of stock, credit, and option pricing. Existing highly cited finance models in pricing of these assets are covered in detail, and theory is accompanied by rigorous applications of econometrics. Econometrics contain elucidations of both the statistical theory as well as the practice of data analyses. Linear regression methods and some nonlinear methods are also covered. The contribution of this book, and at the same time, its novelty, is in employing materials in probability theory, economics optimization, econometrics, and data analyses together to provide a rigorous and sharp intellect for investment and financial decision-making. Mistakes are often made with far too often sweeping pragmatism without deeply knowing the underpinnings of how the market economics works. This book is written at a level that is both academically rigorous for university courses in investment, derivatives, risk management, as well as not too mathematically deep so that finance and banking graduate professionals can have a real journey into the frontier financial economics thinking and rigorous data analytical findings. Financial asset pricing is one of the important areas of finance. The book provides an extensive theoretical account of the fundamental concepts and real world perspectives that transform the principles into practical analysis via econometrics. The Shipping may be from multiple locations in the US or from the UK, depending on stock availability. Seller Inventory # 9783110673852

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ISBN 10: 3110673851 ISBN 13: 9783110673852
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hardcover. Condition: New. 1st Edition. Special order direct from the distributor. Seller Inventory # ING9783110673852

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